Annual FCF:
$1.06B+$759.20M(+249.50%)Summary
- As of today, CALM annual free cash flow is $1.06 billion, with the most recent change of +$759.20 million (+249.50%) on May 31, 2025.
- During the last 3 years, CALM annual free cash flow has risen by +$1.01 billion (+1876.36%).
- CALM annual free cash flow is now at all-time high.
Performance
CALM Free Cash Flow Chart
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Quarterly FCF:
$233.30M-$136.35M(-36.89%)Summary
- As of today, CALM quarterly free cash flow is $233.30 million, with the most recent change of -$136.35 million (-36.89%) on August 30, 2025.
- Over the past year, CALM quarterly free cash flow has increased by +$151.62 million (+185.63%).
- CALM quarterly free cash flow is now -55.35% below its all-time high of $522.57 million, reached on February 1, 2025.
Performance
CALM Quarterly Free Cash Flow Chart
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TTM FCF:
$1.22B+$151.62M(+14.20%)Summary
- As of today, CALM TTM free cash flow is $1.22 billion, with the most recent change of +$151.62 million (+14.20%) on August 30, 2025.
- Over the past year, CALM TTM free cash flow has increased by +$827.21 million (+211.05%).
- CALM TTM free cash flow is now at all-time high.
Performance
CALM TTM Free Cash Flow Chart
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Free Cash Flow Formula
FCF = Cash From Operations − CAPEX
CALM Free Cash Flow Trends
PeriodPeriod | AnnualAnnual | QuarterlyQuarterly | TTMTTM |
---|---|---|---|
1Y1 Year | +249.5% | +185.6% | +211.1% |
3Y3 Years | +1876.4% | +60.7% | +420.3% |
5Y5 Years | +2203.0% | +690.8% | +10000.0% |
CALM Free Cash Flow Highs & Lows
PeriodPeriod | Annual vs HighAnnual vs High | Annual vs LowAnnual vs Low | Quarter. vs HighQuarter. vs High | Quarter. vs LowQuarter. vs Low | TTM vs HighTTM vs High | TTM vs LowTTM vs Low | |
---|---|---|---|---|---|---|---|
3Y | 3-Year | at high | +1876.4% | -55.4% | +7926.3% | at high | +420.3% |
5Y | 5-Year | at high | +1642.8% | -55.4% | +690.8% | at high | +2057.8% |
All-Time | All-Time | at high | +1044.7% | -55.4% | +379.4% | at high | +957.6% |
CALM Free Cash Flow History
Date | Annual | Quarterly | TTM |
---|---|---|---|
Aug 2025 | - | $233.30M(-36.9%) | $1.22B(+14.2%) |
May 2025 | $1.06B(+249.5%) | $369.65M(-29.3%) | $1.07B(+23.8%) |
Feb 2025 | - | $522.57M(+458.1%) | $862.53M(+81.7%) |
Nov 2024 | - | $93.63M(+14.6%) | $474.72M(+21.1%) |
Aug 2024 | - | $81.68M(-50.4%) | $391.94M(+27.6%) |
May 2024 | $304.28M(-58.1%) | $164.65M(+22.2%) | $307.28M(+22.8%) |
Feb 2024 | - | $134.76M(+1141.0%) | $250.24M(-44.5%) |
Nov 2023 | - | $10.86M(+464.3%) | $450.74M(-22.3%) |
Aug 2023 | - | -$2.98M(-102.8%) | $579.81M(-20.3%) |
May 2023 | $726.44M(+1250.0%) | $107.60M(-67.9%) | $727.94M(+3.6%) |
Feb 2023 | - | $335.26M(+139.6%) | $702.50M(+83.4%) |
Nov 2022 | - | $139.93M(-3.6%) | $383.03M(+63.5%) |
Aug 2022 | - | $145.15M(+76.7%) | $234.31M(+332.2%) |
May 2022 | $53.81M(+178.1%) | $82.16M(+420.2%) | $54.21M(+246.7%) |
Feb 2022 | - | $15.79M(+279.6%) | -$36.96M(+19.0%) |
Nov 2021 | - | -$8.79M(+74.8%) | -$45.63M(+20.9%) |
Aug 2021 | - | -$34.95M(-287.6%) | -$57.73M(+7.3%) |
May 2021 | -$68.93M(-36.3%) | -$9.02M(-226.6%) | -$62.27M(-320.6%) |
Feb 2021 | - | $7.12M(+134.1%) | $28.23M(-22.0%) |
Nov 2020 | - | -$20.89M(+47.1%) | $36.19M(+6516.5%) |
Aug 2020 | - | -$39.49M(-148.5%) | $547.00K(+101.3%) |
May 2020 | -$50.57M(-207.4%) | $81.48M(+440.3%) | -$43.45M(+69.4%) |
Feb 2020 | - | $15.08M(+126.7%) | -$142.16M(-39.9%) |
Nov 2019 | - | -$56.53M(+32.3%) | -$101.64M(-110.1%) |
Aug 2019 | - | -$83.49M(-385.0%) | -$48.38M(-202.7%) |
May 2019 | $47.10M(-73.9%) | -$17.22M(-131.0%) | $47.10M(-58.2%) |
Feb 2019 | - | $55.60M(+1801.7%) | $112.61M(-16.5%) |
Nov 2018 | - | -$3.27M(-127.3%) | $134.79M(-38.9%) |
Aug 2018 | - | $11.98M(-75.2%) | $220.73M(+22.1%) |
May 2018 | $180.74M(+260.6%) | $48.30M(-37.9%) | $180.74M(+40.6%) |
Feb 2018 | - | $77.78M(-5.9%) | $128.55M(+159.5%) |
Nov 2017 | - | $82.67M(+395.2%) | $49.54M(+166.4%) |
Aug 2017 | - | -$28.00M(-619.2%) | -$74.64M(+35.6%) |
May 2017 | -$112.58M(-136.0%) | -$3.89M(-213.8%) | -$115.97M(-38.1%) |
Feb 2017 | - | -$1.24M(+97.0%) | -$83.97M(-17.4%) |
Nov 2016 | - | -$41.50M(+40.2%) | -$71.55M(-173.4%) |
Aug 2016 | - | -$69.34M(-346.7%) | $97.52M(-68.1%) |
May 2016 | $312.31M(+176.2%) | $28.11M(+151.5%) | $305.71M(-3.4%) |
Feb 2016 | - | $11.18M(-91.2%) | $316.42M(-10.7%) |
Nov 2015 | - | $127.58M(-8.1%) | $354.46M(+51.6%) |
Aug 2015 | - | $138.85M(+257.7%) | $233.83M(+106.8%) |
May 2015 | $113.07M(+74.7%) | $38.82M(-21.1%) | $113.07M(+3.7%) |
Feb 2015 | - | $49.21M(+607.9%) | $109.05M(+0.9%) |
Nov 2014 | - | $6.95M(-61.6%) | $108.07M(+5.3%) |
Aug 2014 | - | $18.08M(-48.0%) | $102.64M(+58.6%) |
May 2014 | $64.73M(+107.2%) | $34.80M(-27.8%) | $64.73M(+71.7%) |
Feb 2014 | - | $48.23M(+3070.9%) | $37.70M(+97.4%) |
Nov 2013 | - | $1.52M(+107.7%) | $19.10M(-47.9%) |
Aug 2013 | - | -$19.82M(-355.1%) | $36.68M(+17.4%) |
May 2013 | $31.25M(-56.1%) | $7.77M(-73.8%) | $31.25M(+8.2%) |
Feb 2013 | - | $29.63M(+55.2%) | $28.87M(-20.5%) |
Nov 2012 | - | $19.10M(+175.6%) | $36.30M(-18.7%) |
Aug 2012 | - | -$25.25M(-568.1%) | $44.68M(-37.3%) |
May 2012 | $71.21M(+71.3%) | $5.39M(-85.4%) | $71.21M(+15.6%) |
Feb 2012 | - | $37.06M(+34.9%) | $61.61M(-14.9%) |
Nov 2011 | - | $27.47M(+2036.2%) | $72.36M(+51.9%) |
Aug 2011 | - | $1.29M(+130.5%) | $47.63M(+14.6%) |
May 2011 | $41.57M | -$4.21M(-108.8%) | $41.57M(-21.6%) |
Feb 2011 | - | $47.81M(+1640.6%) | $53.00M(-22.0%) |
Date | Annual | Quarterly | TTM |
---|---|---|---|
Nov 2010 | - | $2.75M(+157.5%) | $67.95M(-32.8%) |
Aug 2010 | - | -$4.78M(-166.2%) | $101.13M(+5.5%) |
May 2010 | $95.88M(+12.6%) | $7.22M(-88.5%) | $95.88M(-5.9%) |
Feb 2010 | - | $62.76M(+74.7%) | $101.91M(+18.6%) |
Nov 2009 | - | $35.93M(+458.2%) | $85.92M(+42.9%) |
Aug 2009 | - | -$10.03M(-175.7%) | $60.13M(-29.4%) |
May 2009 | $85.17M(-32.8%) | $13.25M(-71.7%) | $85.17M(-16.9%) |
Feb 2009 | - | $46.77M(+361.1%) | $102.46M(-2.6%) |
Nov 2008 | - | $10.14M(-32.4%) | $105.18M(-9.7%) |
Aug 2008 | - | $15.01M(-50.9%) | $116.49M(-7.5%) |
May 2008 | $126.73M(+249.6%) | $30.54M(-38.3%) | $125.99M(+12.7%) |
Feb 2008 | - | $49.48M(+130.6%) | $111.79M(+21.8%) |
Nov 2007 | - | $21.46M(-12.4%) | $91.76M(+44.1%) |
Aug 2007 | - | $24.51M(+50.0%) | $63.69M(+81.7%) |
May 2007 | $36.25M(+323.6%) | $16.34M(-44.5%) | $35.05M(+70.3%) |
Feb 2007 | - | $29.46M(+545.0%) | $20.58M(+54.6%) |
Nov 2006 | - | -$6.62M(-60.3%) | $13.31M(-6.9%) |
Aug 2006 | - | -$4.13M(-320.1%) | $14.30M(+67.1%) |
May 2006 | $8.56M(+462.2%) | $1.88M(-91.5%) | $8.56M(+13.4%) |
Feb 2006 | - | $22.19M(+494.1%) | $7.55M(+154.3%) |
Nov 2005 | - | -$5.63M(+43.0%) | -$13.91M(-55.5%) |
Aug 2005 | - | -$9.88M(-1241.7%) | -$8.95M(-278.7%) |
May 2005 | -$2.36M(-103.2%) | $865.00K(+18.8%) | -$2.36M(-119.3%) |
Feb 2005 | - | $728.00K(+209.3%) | $12.22M(-73.7%) |
Nov 2004 | - | -$666.00K(+79.8%) | $46.40M(-28.4%) |
Aug 2004 | - | -$3.29M(-121.3%) | $64.80M(-13.0%) |
May 2004 | $74.47M(+309.5%) | $15.45M(-55.7%) | $74.47M(+2.5%) |
Feb 2004 | - | $34.90M(+96.8%) | $72.63M(+37.5%) |
Nov 2003 | - | $17.74M(+178.2%) | $52.81M(+66.7%) |
Aug 2003 | - | $6.38M(-53.2%) | $31.68M(+74.2%) |
May 2003 | $18.18M(+218.9%) | $13.61M(-9.8%) | $18.18M(+110.8%) |
Feb 2003 | - | $15.09M(+543.6%) | $8.63M(+235.6%) |
Nov 2002 | - | -$3.40M(+52.2%) | -$6.36M(+17.3%) |
Aug 2002 | - | -$7.12M(-275.5%) | -$7.69M(+45.5%) |
May 2002 | -$15.29M(-193.4%) | $4.05M(+3836.9%) | -$14.11M(-20.4%) |
Feb 2002 | - | $103.00K(+102.2%) | -$11.72M(-209.6%) |
Nov 2001 | - | -$4.74M(+65.0%) | -$3.78M(-155.3%) |
Aug 2001 | - | -$13.53M(-309.9%) | $6.84M(-58.2%) |
May 2001 | $16.36M(+142.0%) | $6.45M(-19.7%) | $16.36M(+1025.0%) |
Feb 2001 | - | $8.04M(+36.4%) | -$1.77M(+89.5%) |
Nov 2000 | - | $5.89M(+246.8%) | -$16.91M(+47.1%) |
Aug 2000 | - | -$4.01M(+65.6%) | -$31.96M(+18.0%) |
May 2000 | -$38.99M(-874.7%) | -$11.68M(-64.4%) | -$38.99M(-10.1%) |
Feb 2000 | - | -$7.11M(+22.4%) | -$35.42M(-82.4%) |
Nov 1999 | - | -$9.16M(+17.0%) | -$19.42M(-1657.5%) |
Aug 1999 | - | -$11.04M(-36.1%) | $1.25M(-84.7%) |
May 1999 | -$4.00M(-163.5%) | -$8.11M(-191.3%) | $8.16M(-57.5%) |
Feb 1999 | - | $8.89M(-22.8%) | $19.17M(+7.2%) |
Nov 1998 | - | $11.51M(+378.6%) | $17.88M(+149.4%) |
Aug 1998 | - | -$4.13M(-242.4%) | $7.17M(+13.8%) |
May 1998 | $6.30M(-61.3%) | $2.90M(-61.8%) | $6.30M(+384.6%) |
Feb 1998 | - | $7.60M(+850.0%) | $1.30M(-72.3%) |
Nov 1997 | - | $800.00K(+116.0%) | $4.70M(-54.4%) |
Aug 1997 | - | -$5.00M(-138.1%) | $10.30M(-36.8%) |
May 1997 | $16.30M(-1.2%) | -$2.10M(-119.1%) | $16.30M(-11.4%) |
Feb 1997 | - | $11.00M(+71.9%) | $18.40M(+148.6%) |
Nov 1996 | - | $6.40M(+540.0%) | $7.40M(+640.0%) |
Aug 1996 | - | $1.00M | $1.00M |
May 1996 | $16.50M | - | - |
FAQ
- What is Cal-Maine Foods, Inc. annual free cash flow?
- What is the all-time high annual free cash flow for Cal-Maine Foods, Inc.?
- What is Cal-Maine Foods, Inc. annual free cash flow year-on-year change?
- What is Cal-Maine Foods, Inc. quarterly free cash flow?
- What is the all-time high quarterly free cash flow for Cal-Maine Foods, Inc.?
- What is Cal-Maine Foods, Inc. quarterly free cash flow year-on-year change?
- What is Cal-Maine Foods, Inc. TTM free cash flow?
- What is the all-time high TTM free cash flow for Cal-Maine Foods, Inc.?
- What is Cal-Maine Foods, Inc. TTM free cash flow year-on-year change?
What is Cal-Maine Foods, Inc. annual free cash flow?
The current annual free cash flow of CALM is $1.06B
What is the all-time high annual free cash flow for Cal-Maine Foods, Inc.?
Cal-Maine Foods, Inc. all-time high annual free cash flow is $1.06B
What is Cal-Maine Foods, Inc. annual free cash flow year-on-year change?
Over the past year, CALM annual free cash flow has changed by +$759.20M (+249.50%)
What is Cal-Maine Foods, Inc. quarterly free cash flow?
The current quarterly free cash flow of CALM is $233.30M
What is the all-time high quarterly free cash flow for Cal-Maine Foods, Inc.?
Cal-Maine Foods, Inc. all-time high quarterly free cash flow is $522.57M
What is Cal-Maine Foods, Inc. quarterly free cash flow year-on-year change?
Over the past year, CALM quarterly free cash flow has changed by +$151.62M (+185.63%)
What is Cal-Maine Foods, Inc. TTM free cash flow?
The current TTM free cash flow of CALM is $1.22B
What is the all-time high TTM free cash flow for Cal-Maine Foods, Inc.?
Cal-Maine Foods, Inc. all-time high TTM free cash flow is $1.22B
What is Cal-Maine Foods, Inc. TTM free cash flow year-on-year change?
Over the past year, CALM TTM free cash flow has changed by +$827.21M (+211.05%)